SIAM Journal on Financial Mathematics (SIFIN)
Issue #1 publishing Winter 2009/2010
René Carmona and Ronnie Sircar, Editors-in-Chief
Electronic only, continuous publication
The SIAM Journal on Financial Mathematics brings together works on theoretical
developments in financial mathematics as well as breakthroughs in the
computational challenges they encompass. By publishing papers of high
quality and originality, it serves as an essential resource for academic
finance researchers and practitioners alike. The journal offers a conduit
for the publication of articles in any of these branches of financial
mathematics. It also provides a common platform for scholars interested
in the mathematical theory of finance as well as practitioners interested
in rigorous treatments of the scientific computational issues related
to implementation. On the theoretical side, the journal seeks papers
with demonstrable mathematical developments motivated by models of modern
finance. On the computational side, it publishes works introducing new
methods and algorithms representing significant (as opposed to incremental)
improvements on the existing state of affairs of modern numerical implementations
of applied financial mathematics.
- Call for Papers
- Editorial Board
- Editorial Policy
- Editorial Contacts
- Review Procedures
- Instructions for Authors
- Instructions for Referees
- Author Inquiries
- Author Submission and Manuscript Tracking Site [login required]
- Journal Information Sheet [PDF, 86KB]


